Issue of structured product notes – IBLIAJ
INVESTEC BANK LIMITED
ISSUE OF STRUCTURED PRODUCT NOTES – IBLIAJ
Commencement Date: 25 September 2026
Underlying Asset MSCI ACWI Net Total Return USD Index
Expiry Date 22 December 2031
Initial Level 630.5254
Style European
Issue Size 1,755,936
Issue price (ZAR cents) 100,000
JSE Code IBLIAJ
ISIN Code ZAE000370367
The JSE Limited (“JSE”) has approved the listing of the abovementioned Notes and trading will commence on Friday,
25 September 2026. All members of the JSE may participate in trading, which will occur according to normal JSE
Rules.
The Notes comprise inward listed securities classified as foreign for purposes of the South African Reserve Bank
Exchange Control Regulations. Therefore the full nominal or notional exposure in respect of these Notes must be
marked off against the Holder’s foreign portfolio allowance and emigrants from the Common Monetary Area shall not
be entitled to utilise “blocked Rand” in order to subscribe for the Notes.
As the Notes have been dematerialised, settlement will be effected electronically through the Strate system of the JSE
and accordingly, certificates evidencing the Notes will not be issued to Holders.
Any captalised terms referred to herein, and not defined, shall bear the meanings ascribed thereto in the Note issue
documentation.
Subject to no Market Adjustment Event, Early Redemption Trigger Event or the Detachment Point occurring, the Cash
Settlement Amount per Note shall be determined as the amount calculated according to the formula detailed in the
applicable pricing supplement on the Expiry Date.
The Notes will be automatically exercised on the Expiry Date, provided that no Market Adjustment Event, Early
Redemption Trigger Event or the Detachment Point has occurred prior to the Expiry Date, with the following salient
details provided for illustrative purposes:
Investment Return Amount per Note To be announced before Wednesday, 24 December 2031
Expiry Date Monday, 22 December 2031
LDT Monday, 29 December 2031
Suspension date Tuesday, 30 December 2031
Record date Friday, 2 January 2032
Payment/Redemption date Monday, 5 January 2032
Termination date Tuesday, 6 January 2032
The above information is in no way an indication that the conditions for Exercise are or will be fulfilled on the
Expiry Date. The Issuer will publish the declaration data in accordance with paragraph 6.104 of the JSE Debt
and Specialist Securities Listings Requirements and the revised Schedule 2 Form H corporate action timelines
to the extent that an Exercise event is likely to or will occur or if not, then the declaration data will be published
on or about the Expiry Date.
Date: 23 September 2026
Copies of the offering circular may be obtained from:
Investec Bank Limited
100 Grayston Drive
Sandown
Sandton
2196
Copies of Warrant issue documentation can be located on:
Internet: www.investecwarrants.com
Place and Date of Incorporation of the Issuer:
Incorporated in the Republic of South Africa
Registration Number: 1969/004763/06
Date of Incorporation: 31 March 1969
For further information kindly contact:
Investec Financial Products
Tel.: +27 11 286 9663
E-mail: FPRetail@investec.co.za
Sponsor:
Investec Bank Limited
Member of the JSE
Registration Number: 1972/008905/07
Date: 23/09/2026 03:50:00
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